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Cincinnati Financial Corp
XBER:CCJ

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Cincinnati Financial Corp
XBER:CCJ
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Price: 139.65 EUR Market Closed
Market Cap: €21.9B

Balance Sheet

Balance Sheet Decomposition
Cincinnati Financial Corp

Balance Sheet
Cincinnati Financial Corp

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Balance Sheet
Currency: USD
Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Assets
Cash & Cash Equivalents
112
91
306
119
202
226
1 009
557
385
438
487
433
591
544
777
657
784
767
900
1 139
1 264
907
983
1 431
Cash
112
91
306
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Cash Equivalents
0
0
0
119
202
226
1 009
557
385
438
487
433
591
544
777
657
784
767
900
1 139
1 264
907
983
1 431
Total Receivables
131
180
202
222
229
216
169
193
192
195
190
0
0
0
0
0
0
0
0
0
0
0
0
0
Insurance Receivable
956
1 060
1 119
1 116
1 128
1 107
1 059
995
1 015
1 087
1 214
1 346
1 405
1 431
1 533
1 589
1 644
1 777
1 879
2 053
2 322
2 592
2 969
3 142
Deferred Policy Acquisition Cost
343
372
400
429
453
461
509
481
488
477
470
565
578
616
637
670
738
774
805
905
1 014
1 093
1 242
1 344
Other Current Assets
47
13
15
14
13
13
15
15
18
24
26
0
0
0
0
0
0
0
0
0
0
0
0
0
Total Current Assets
178
193
217
236
242
229
184
208
210
219
216
0
0
0
0
0
0
0
0
0
0
0
0
0
PP&E Net
128
136
156
168
193
239
236
251
229
227
217
210
194
185
183
185
195
207
213
205
202
208
214
219
PP&E Gross
128
136
156
168
193
239
236
251
229
227
217
210
194
185
183
185
195
207
213
205
202
208
214
0
Accumulated Depreciation
155
172
206
232
261
276
297
335
352
376
397
420
446
459
237
253
265
276
285
303
322
337
347
0
Note Receivable
0
0
0
0
0
0
0
0
0
0
0
206
198
191
185
195
203
210
231
242
252
300
342
381
Long-Term Investments
11 265
12 485
12 677
12 702
13 759
12 261
8 890
10 643
11 508
11 801
12 534
13 564
14 386
14 423
15 500
17 051
16 732
19 746
21 542
24 666
22 425
25 357
28 378
31 783
Other Long-Term Assets
0
0
0
0
0
0
126
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Assets
1 140
1 172
1 232
1 233
1 245
2 114
1 356
1 305
1 260
1 386
1 410
1 338
1 401
1 498
1 571
1 496
1 639
1 927
1 972
2 177
2 257
2 312
2 373
2 702
Total Assets
14 122
N/A
15 509
+10%
16 107
+4%
16 003
-1%
17 222
+8%
16 637
-3%
13 369
-20%
14 440
+8%
15 095
+5%
15 635
+4%
16 548
+6%
17 662
+7%
18 753
+6%
18 888
+1%
20 386
+8%
21 843
+7%
21 935
+0%
25 408
+16%
27 542
+8%
31 387
+14%
29 736
-5%
32 769
+10%
36 501
+11%
41 002
+12%
Liabilities
Insurance Policy Liabilities
5 839
6 349
6 759
7 049
7 388
7 537
7 729
8 019
8 408
8 857
9 051
9 369
9 816
10 250
10 829
11 212
11 805
12 652
13 573
14 549
16 040
17 162
18 728
20 734
Accrued Liabilities
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
59
60
0
Short-Term Debt
183
183
0
0
49
69
49
49
49
104
104
104
49
35
20
24
32
39
54
54
50
25
25
25
Other Current Liabilities
0
0
0
0
0
760
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Total Current Liabilities
183
183
0
0
49
829
49
49
49
104
104
104
49
35
20
24
32
39
54
54
50
84
85
25
Long-Term Debt
420
420
791
791
791
791
791
790
807
821
827
835
827
821
826
827
834
846
845
843
841
790
790
861
Deferred Income Tax
1 737
1 949
1 834
1 622
1 653
977
0
152
260
303
453
673
840
638
865
745
627
1 079
1 299
1 744
1 045
1 324
1 476
1 833
Other Liabilities
345
404
474
455
533
574
618
670
539
517
660
611
648
717
786
792
804
928
982
1 092
1 229
1 311
1 487
1 638
Total Liabilities
8 524
N/A
9 305
+9%
9 858
+6%
9 917
+1%
10 414
+5%
10 708
+3%
9 187
-14%
9 680
+5%
10 063
+4%
10 602
+5%
11 095
+5%
11 592
+4%
12 180
+5%
12 461
+2%
13 326
+7%
13 600
+2%
14 102
+4%
15 544
+10%
16 753
+8%
18 282
+9%
19 205
+5%
20 671
+8%
22 566
+9%
25 091
+11%
Equity
Common Stock
352
352
370
389
391
393
393
393
393
393
394
397
397
397
397
397
397
397
397
397
397
397
397
397
Retained Earnings
1 772
1 986
2 057
2 088
2 786
3 404
3 579
3 862
3 980
3 863
4 021
4 268
4 505
4 762
5 037
5 180
7 625
9 257
10 085
12 625
11 702
13 084
14 869
16 719
Additional Paid In Capital
300
306
618
969
1 015
1 049
1 069
1 081
1 091
1 096
1 134
1 191
1 214
1 232
1 252
1 265
1 281
1 306
1 328
1 356
1 392
1 437
1 502
1 561
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
286
810
958
1 195
1 527
1 777
1 372
1 717
2 807
37
467
811
627
665
447
434
0
Treasury Stock
469
524
583
644
763
1 068
1 206
1 200
1 201
1 220
1 225
1 290
1 287
1 308
1 319
1 387
1 492
1 544
1 790
1 921
2 324
2 385
2 524
2 732
Other Equity
3 643
4 084
3 787
3 284
3 379
2 151
347
338
41
57
66
23
33
28
24
19
15
19
42
21
29
12
125
34
Total Equity
5 598
N/A
6 204
+11%
6 249
+1%
6 086
-3%
6 808
+12%
5 929
-13%
4 182
-29%
4 760
+14%
5 032
+6%
5 033
+0%
5 453
+8%
6 070
+11%
6 573
+8%
6 427
-2%
7 060
+10%
8 243
+17%
7 833
-5%
9 864
+26%
10 789
+9%
13 105
+21%
10 531
-20%
12 098
+15%
13 935
+15%
15 911
+14%
Total Liabilities & Equity
14 122
N/A
15 509
+10%
16 107
+4%
16 003
-1%
17 222
+8%
16 637
-3%
13 369
-20%
14 440
+8%
15 095
+5%
15 635
+4%
16 548
+6%
17 662
+7%
18 753
+6%
18 888
+1%
20 386
+8%
21 843
+7%
21 935
+0%
25 408
+16%
27 542
+8%
31 387
+14%
29 736
-5%
32 769
+10%
36 501
+11%
41 002
+12%
Shares Outstanding
Common Shares Outstanding
179
176
167
174
173
166
162
163
163
162
163
163
164
164
164
164
163
163
161
160
157
157
156
155